Introduction
Upcoming London courses
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One-to-One Financial Markets Tuition
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Introduction
Fundamentals of capital markets
Valuing interest rate products (cash and derivatives)
Interest rate instruments: risk measurement and control
Introduction
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TRAINING COURSES
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Introduction
Upcoming London courses
Standard Training Courses
One-to-One Financial Markets Tuition
Tailor-made Training Course
UPCOMING LONDON COURSES
Register via our website today
and benefit from a discounted price
Duration
2010
FINANCIAL MARKET PRODUCTS
Introduction to Capital Markets
2 days
London:
02-03 Sep 2010
Fundamentals of Capital Markets
5 days
London:
13-17 Sep 2010
Using Standard and Exotic Derivatives
3 days
London:
22-24 Sep 2010
Interest Rate and Forex Trading Simulation
2 days
London:
13-14 Dec 2010
Credit Derivatives and Structured Products 1: Mechanics and Main Uses
2 days
London:
15-16 Nov 2010
Credit Derivatives and Structured Products 2: Pricing and Book Management
2 days
London:
06-07 Dec 2010
Introduction to Securitisation
2 days
London:
11-12 Oct 2010
Securitisation: ABS, ABCP and CDO
3 days
London:
29-01 Oct 2010
Bond and Money Markets: Mechanics and Main Uses (Cash and Derivatives)
3 days
London:
06-08 Oct 2010
Repo: Mechanics, Pricing and Strategies
2 days
London:
17-19 Nov 2010
Bonds: Pricing and Book Management
3 days
London:
01-03 Dec 2010
Convertible Bonds: Pricing and Book Management
2 days
London:
14-15 Oct 2010
Interest Rate Derivatives: Characteristics and Uses
2 days
London:
08-10 Nov 2010
Structured Interest Rate Products: Structuring and Main Uses
2 days
London:
04-05 Nov 2010
Interest Rate Swaps: Pricing and Book Management
3 days
London:
22-24 Sep 2010
Duration and Convexity
1 day
London:
20 Oct 2010
Interest Rate Options: Characteristics, Uses and Sensitivities
3 days
London:
06-08 Oct 2010
Standard and Exotic Interest Rate Options: Advanced Pricing and Book Management Techniques
3 days
London:
15-17 Nov 2010
Cash and Derivative Forex Products: Characteristics and Uses
2 days
London:
29-30 Nov 2010
Structured Forex Products: Structuring and Main Uses
2 days
London:
16-17 Dec 2010
Fundamentals of Equity Markets
2 days
London:
21-22 Oct 2010
Equity Derivatives: Characteristics and Uses
2 days
London:
27-28 Sep 2010
Standard and Exotic Equity Options: Pricing and Book Management
2 days
London:
13-14 Dec 2010
Structured Equity Products 2: Structuring and Main Uses
2 days
London:
22-23 Nov 2010
Introduction to Commodity Markets
2 days
London:
21-22 Oct 2010
Energy Derivatives
2 days
London:
08-09 Nov 2010
Hybrid Structured Products: Structuring and Main Uses
2 days
London:
04-05 Oct 2010
Structured Equity Products 1: Mechanics and Basics of Pricing
2 days
London:
18-19 Oct 2010
Introduction to Credit Markets
2 days
London:
09-10 Sep 2010
Default Correlation: Principles and Pricing in EXCEL™
1 day
London:
13 Oct 2010
Advanced Swaps
3 days
London:
29-01 Oct 2010
Variance Swaps and Conditional Variance Swaps
1 day
London:
06-07 Dec 2010
Dispersion and Correlation Products
1 day
London:
27 Oct 2010
Commodity-based structured products: Structuring and Main Uses
2 days
London:
06-07 Dec 2010
Derivatives on Agricultural commodities and biofuels
2 days
London:
24-25 Nov 2010
Impact of the financial crisis on capital markets
1 day
London:
13 Oct 2010
ASSET MANAGEMENT - PRIVATE BANKING
Managing Credit Risk in Investment Portfolios
3 days
London:
20-22 Oct 2010
Introduction to Asset Management
2 days
London:
09-10 Dec 2010
Structured Products for Asset Management
3 days
London:
25-27 Oct 2010
Financial Analysis and Equity Valuation
3 days
London:
20-22 Sep 2010
Credit Analysis: Corporate Issuers
3 days
London:
17-19 Oct 2010
Credit Analysis: Financial Issuers
3 days
London:
10-12 Nov 2010
Fundamentals of Investment Management
3 days
London:
08-10 Dec 2010
Asset Allocation
2 days
London:
04-05 Oct 2010
Quantitative Techniques for Investment Managers
3 days
London:
03-05 Nov 2010
Introduction to Hedge Funds
2 days
London:
16-17 Sep 2010
Investment Performance Measurement and Analysis
2 days
London:
15-16 Nov 2010
Introduction to private banking
2 days
London:
29-30 Nov 2010
Fixed Income Management
3 days
London:
29-01 Oct 2010
Using Derivatives to Manage Fixed Income Portfolios
3 days
London:
01-03 Nov 2010
Equity Management
3 days
London:
18-20 Oct 2010
Using Derivatives to Manage Equity Portfolios
2 days
London:
25-26 Oct 2010
Hedge Funds: Due Diligence
2 days
London:
12-13 Oct 2010
Hedge Funds: Advanced Techniques
1 day
London:
15 Dec 2010
Portfolio Insurance: CPPI and Other Techniques
2 days
London:
01-02 Dec 2010
ALM - RISK MANAGEMENT - COMPLIANCE - REGULATION
ALM 1: Fundamentals
2 days
London:
04-05 Oct 2010
ALM 2: Tools and Advanced Techniques
2 days
London:
28-29 Oct 2010
Liquidity risk
1 day
London:
26 Nov 2010
Introduction to Value at Risk (VaR)
1 day
London:
08 Dec 2010
Risk Management 1: Risk Assessment
3 days
London:
20-22 Sep 2010
Risk Management 2: Practical Cases and Stress Tests
2 days
London:
01-02 Nov 2010
Basel II: Implications for Risk Management and Capital Allocation
2 days
London:
06-07 Sep 2010
Solvency II
2 days
London:
09-10 Sep 2010
Fundamentals of credit risk
3 days
London:
06-08 Oct 2010
Fundamentals of risk management
4 days
London:
13-16 Sep 2010
Hands-on risk management on the trading floor
2 days
London:
29-30 Nov 2010
FINANCIAL ANALYSIS & MATHEMATICS
Analysis of Macro-Economic Indicators
2 days
London:
25-26 Nov 2010
Charts and Technical Analysis
2 days
London:
06-07 Sep 2010
Financial Modelling in EXCEL™
2 days
London:
27-28 Sep 2010
OPERATIONS
Capital Market Operations
3 days
London:
06-08 Sep 2010
Securities Operations
2 days
London:
20-21 Sep 2010
Front to Back Process
1 day
London:
27-28 Sep 2010
Delivery and Settlement Processes
2 days
London:
11-12 Oct 2010
CORPORATE FINANCE
Corporate Funding Techniques
2 days
London:
08-09 Sep 2010
Corporate Valuation
2 days
London:
18-19 Nov 2010
Principles of Mergers & Acquisitions
2 days
London:
14-15 Oct 2010
Private Equity & LBO Techniques
2 days
London:
09-10 Dec 2010
Structured Asset Finance
2 days
London:
13-14 Dec 2010
Project Finance
2 days
London:
15-16 Dec 2010
Trade Finance: Fundamentals and Risks
2 days
London:
22-23 Nov 2010
Fundamentals of Corporate Finance
5 days
London:
01-05 Nov 2010
Techniques of Mezzanine Funding
2 days
London:
15-16 Dec 2010
Financial aspects of Public-Private Partnerships (PPP/PFI)
2 days
London:
01-02 Dec 2010
Introduction to Financial Analysis
1 day
London:
08 Sep 2010
Advanced Modelling for Project Finance
3 days
London:
10-12 Nov 2010
Finance for non-financial managers
2 days
London:
13-14 Sep 2010
Introduction to investment banking
1 day
London:
17 Nov 2010
REAL ESTATE FINANCE
Fundamentals of Real Estate Financing
2 days
London:
15-16 Nov 2010
SALES & MANAGEMENT
Sales Techniques in a Trading Room
2 days
London:
22-23 Nov 2010
Pitch to Win: Increase your Impact
2 days
London:
15-16 Oct 2010
Public Speaking Techniques for Analysts, Asset Managers and CRMs
2 days
London:
08-09 Dec 2010
Being a Manager in Investment Banking or Asset Management
2 days
London:
18-19 Oct 2010
Managing Stress and Priorities in the Financial Industry
1 day
London:
02 Nov 2010
Training new managers in support functions
2 days
London:
25-26 Oct 2010
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